BP (BP.L) research
BP p.l.c. is an integrated energy company whose activities include producing oil and gas, refining, supplying energy products, convenience retail, trading and developing lower-carbon energy businesses.
Investment Score
The canonical Investment Score for BP (BP.L) is 34 with a mechanical rating of “Reduce.” That outcome is driven by weak assessments on Valuation (score 25), Growth (25), Profitability (28) and Dividend Sustainability (25), partially offset by a materially stronger Financial Health score (61) that supplies the largest positive contribution to the composite. Analyst Consensus was unavailable and excluded. The score reflects a mix of clear balance-sheet strengths and operating/cash-generation evidence on one hand, and low margins, declining revenue and sparse valuation/dividend metrics on the other. This note summarises the main bullish and bearish points and cites the concrete data behind them. This is research and education only — not investment advice.
Score: 34
Dividend evidence
- Ex-dividend 13 August 2026 · £0.06 · estimated · Yahoo
Sources and limitations
Last updated 2 August 2026. Historical payments do not guarantee future distributions. Research and educational information only.